加拿大难民程序/IRPR 第 13.1 条 - 授权披露
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相关法规条文的文本如下
DIVISION 4 Disclosure of Information Authorized disclosure 13.1 If a member of the Board or an officer determines that the conduct of a person referred to in any of paragraphs 91(2)(a) to (c) of the Act in connection with a proceeding — other than a proceeding before a superior court — or application under the Act is likely to constitute a breach of the person’s professional or ethical obligations, the Department, the Canada Border Services Agency or the Board, as the case may be, may disclose the following information to a body that is responsible for governing or investigating that conduct or to a person who is responsible for investigating that conduct: (a) any information referred to in paragraphs 10(2)(c.1) to (c.3); and (b) any information relating to that conduct, but — in the case of any information that could identify any other person — only to the extent necessary for the complete disclosure of that conduct.
加拿大难民委员会有一个《关于向监管机构披露授权代表行为信息的政策》。[1]该政策指出,《移民和难民保护条例》第 13.1 条于 2012 年生效,旨在根据《隐私法》第 8(2)(b) 段,方便向监管机构披露有关授权代表违反职业或道德义务的信息。另见:加拿大难民程序/166 - 程序必须在公众缺席的情况下进行#在难民背景下获取信息的目的是什么?.
- ↑ 加拿大移民和难民委员会,《关于向监管机构披露授权代表行为信息的政策》,修改日期:2018 年 7 月 10 日,<https://irb-cisr.gc.ca/en/legal-policy/policies/Pages/PolCondRep.aspx>(2020 年 11 月 27 日访问)。